HoldingsChannel.com
BRYN MAWR TRUST Co Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
APPLE INC 328,376 +78,249 $83,503
     AAPL328,376+78,249$83,503
MICROSOFT CORP 428,097 +22,312 $67,515
     MSFT428,097+22,312$67,515
JOHNSON & JOHNSON 343,379 +76,164 $45,028
     JNJ343,379+76,164$45,028
PEPSICO INC 300,891 +49,689 $36,137
     PEP300,891+49,689$36,137
JPMORGAN 345,548 +23,013 $31,110
     JPM345,548+23,013$31,110
ABBOTT LABS 393,497 +370 $31,051
     ABT393,497+370$31,051
JPMORGAN 615,191 +615,191 $30,557
     JPST615,191+615,191$30,557
BECTON DICKINSON 132,359 +2,019 $30,412
     BDX132,359+2,019$30,412
THERMO FISHER SCIENTIFIC INC 102,336 -561 $29,022
     TMO102,336-561$29,022
SPDR (SPY) 100,775 -2,869 $25,975
     SPY100,775-2,869$25,975
MASTERCARD INC A 106,862 +451 $25,813
     MA106,862+451$25,813
VERIZON COMMUNICATIONS INC 475,580 +5,736 $25,553
     VZ475,580+5,736$25,553
ALPHABET INC 21,539 +886 $25,046
     GOOG21,539+886$25,046
CISCO SYSTEMS INC 623,014 +57,343 $24,490
     CSCO623,014+57,343$24,490
HONEYWELL INTL INC 166,304 +2,273 $22,250
     HON166,304+2,273$22,250
HERSHEY CO 157,622 -2,918 $20,885
     HSY157,622-2,918$20,885
VANGUARD (VEA) 625,486 +52,215 $20,854
     VEA625,486+52,215$20,854
PROCTER & GAMBLE CO THE 185,327 +39,940 $20,386
     PG185,327+39,940$20,386
INTEL CORP 361,875 +171,312 $19,584
     INTC361,875+171,312$19,584
AMGEN INC 95,947 +4,564 $19,452
     AMGN95,947+4,564$19,452
NIKE INC 220,333 +17,389 $18,231
     NKE220,333+17,389$18,231
ISHARES (IJH) 124,686 -7,654 $17,937
     IJH124,686-7,654$17,937
ISHARES (IVV) 68,489 +7,475 $17,698
     IVV68,489+7,475$17,698
ISHARES (SCZ) 387,084 +7,633 $17,353
     SCZ387,084+7,633$17,353
VISA INC 107,012 -2,712 $17,242
     V107,012-2,712$17,242
TJX COS INC 354,884 +5,371 $16,967
     TJX354,884+5,371$16,967
MERCK & CO INC NEW 216,873 +34,595 $16,685
     MRK216,873+34,595$16,685
UNITED PARCEL SVC INC 173,460 +4,950 $16,204
     UPS173,460+4,950$16,204
INVESCO 83,588 +906 $15,915
     QQQ83,588+906$15,915
ISHARES (IWM) 134,090 +3,343 $15,347
     IWM134,090+3,343$15,347
3M CO 110,050 +14,951 $15,022
     MMM110,050+14,951$15,022
MASIMO CORP 84,812 -1,903 $15,021
     MASI84,812-1,903$15,021
ANALOG DEVICES 165,140 +3,271 $14,805
     ADI165,140+3,271$14,805
EXXON MOBIL CORP 384,497 +21,657 $14,600
     XOM384,497+21,657$14,600
STRYKER CORP 85,114 +1,714 $14,171
     SYK85,114+1,714$14,171
VANGUARD (VWO) 421,413 +17,094 $14,138
     VWO421,413+17,094$14,138
UNITED TECHNOLOGIES CORP 147,231 +17,626 $13,888
     UTX147,231+17,626$13,888
SYSCO CORP 287,927 +22,464 $13,138
     SYY287,927+22,464$13,138
TELEFLEX INC 41,959 +215 $12,288
     TFX41,959+215$12,288
CORNING INC 595,739 +989 $12,236
     GLW595,739+989$12,236
SCHWAB VALUE FOR A C      $12,205
     COMMON STOCK5+5$12,205
TRUIST FINANCIAL CORP 393,721 -12,795 $12,142
     TFC393,721-12,795$12,142
CME GROUP INC 70,100 -513 $12,120
     CME70,100-513$12,120
ISHARES (IWF) 80,147 +4,146 $12,075
     IWF80,147+4,146$12,075
AMAZON.COM INC 5,747 +531 $11,205
     AMZN5,747+531$11,205
SKYWORKS SOLUTIONS INC 125,196 +698 $11,190
     SWKS125,196+698$11,190
AMERICAN WTR WKS CO INC NEW 90,039 +989 $10,765
     AWK90,039+989$10,765
NORDSON CORP 78,388 +904 $10,588
     NDSN78,388+904$10,588
CACI INTERNATIONAL INC 50,124 +226 $10,584
     CACI50,124+226$10,584
KIMBERLY CLARK CORP 80,065 +3,674 $10,238
     KMB80,065+3,674$10,238

See Full List: All Stocks Held By BRYN MAWR TRUST Co
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By BRYN MAWR TRUST Co

Size ($ in 1000's)
At 03/31/2020: $1,701,087
At 12/31/2019: $1,971,515

BRYN MAWR TRUST Co holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from BRYN MAWR TRUST Co 13F filings. Link to 13F filings: SEC filings

BRYN MAWR TRUST Co Top Holdings 13F Filings | www.HoldingsChannel.com

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